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首页 公告 新纶新材:2021年年度财务报告

新纶新材:2021年年度财务报告

公告日期:2022-04-28

新纶新材:2021年年度财务报告 PDF查看PDF原文

                    2021 年度财务决算报告

      经中证天通会计师事务所(特殊普通合伙)审计,2021年度新纶新材料股份

  有限公司(以下简称“公司”)经营业绩情况如下:

      一、主要财务数据

          单位:万元

                  项目              2021 年度          2020 年度    ±变动比例

                营业收入            133,210.38      224,699.97        -40.72%

                营业成本            106,484.56      179,684.55        -40.74%

                利润总额            -133,996.74      -133,408.43        -0.44%

          归属于母公司所有者的净      -126,819.53      -128,956.05        1.66%

                  利润

            基本每股收益(元)            -1.1007        -1.1192        1.66%

          经营活动产生的现金流量        10,140.90        35,018.88        -71.04%

                  净额

                资产总额            627,380.16      774,900.67        19.04%

                负债总额            388,389.67      413,095.08        5.98%

    二、公司财务状况

      1、资产构成情况

                                                      单位:万元

              2021 年 12 月 31 日      2020 年 12 月 31 日      ±变动比

    资产        金额    占资产比      金额      占资产比    例            变动原因

                            率                        率

  货币资金      1,958.81    0.31%        14,729.46    1.90%  -86.70%  主要系本期偿还债务较
                                                                                  大所致

交易性金融资      1.00    0.00%        1,893.55    0.24%  -99.95%  主要系本期赎回理财所
    产                                                                            致

  应收账款    19,948.90    3.18%        52,647.81    6.79%  -62.11%  主要系本期收入规模下
                                                                                  降所致

应收款项融资    3,426.19    0.55%        2,914.00    0.38%    17.58%

  预付款项      4,874.43    0.78%        6,635.13    0.86%  -26.54%

 其他应收款    66,630.17    10.62%        78,844.01  10.17%  -15.49%

    存货      28,278.33    4.51%        33,020.51    4.26%  -14.36%

  合同资产    12,055.92    1.92%        14,507.49    1.87%  -16.90%

其他流动资产  10,110.73    1.61%        12,395.74    1.60%  -18.43%


 流动资产合计  147,284.48    23.48%      217,587.69  28.08%  -32.31%

 长期应收款    2,439.33    0.39%        3,126.58    0.40%  -21.98%

 长期股权投资  12,908.49    2.06%        11,769.59    1.52%    9.68%

 其他权益工具                0.00%              -    0.00%

    投资

 其他非流动金    1,260.00    0.20%        1,260.00    0.16%    0.00%

  融资产

 投资性房地产  39,477.43    6.29%        36,271.23    4.68%    8.84%

  固定资产    144,024.03    22.96%      173,022.45  22.33%  -16.76%

  在建工程    16,194.84    2.58%        27,154.46    3.50%  -40.36%  主要系本期铝塑膜二期
                                                                                项目转固所致

 使用权资产    2,548.98    0.41%              -    0.00%

  无形资产    47,198.83    7.52%        50,484.11    6.51%    -6.51%

  开发支出      9,635.92    1.54%        12,090.52    1.56%  -20.30%

              57,327.00    9.14%      100,711.90  13.00%  -43.08%  主要系本期计提子公司
    商誉                                                                  安徽新纶、江西新益、金
                                                                            耀辉商誉减值准备所致

 长期待摊费用    3,886.38    0.62%        4,413.54    0.57%  -11.94%

 递延所得税资  20,821.67    3.32%        15,345.52    1.98%    35.69%  主要系本期计提商誉减
    产                                                                        值准备所致

 其他非流动资  122,372.77    19.51%      121,663.07  15.70%    0.58%

    产

 非流动资产合  480,095.68    76.52%      557,312.98  71.92%  -13.86%

    计

      2、负债构成情况

                                                      单位:万元

            2020 年 12 月 31 日      2019 年 12 月 31 日

负债项目    金额      占负债      金额      占负债  ±变动比例            变动原因

                        比率                  比率

短期借款  195,967.28  50.46%    225,475.32  54.58%    -13.09%

应付票据      219.97    0.06%      380.60    0.09%    -42.21%  主要系上期的应付票据本期到
                                                                              期兑付所致

应付账款    34,912.70    8.99%    44,535.57  10.78%    -21.61%

预收款项      492.11    0.13%            -    0.00%              主要系本期新增预收款项所致

合同负债    1,949.85    0.50%    12,086.29    2.93%    -83.87%  主要系本期项目完成进度所致

应付职工    2,708.74    0.70%      4,856.92    1.18%    -44.23%  主要系上期计提年终绩效奖金
  薪酬                                                                          所致

应交税费    4,231.42    1.09%      4,396.63    1.06%      -3.76%

其他应付    26,499.89    6.82%    14,400.14    3.49%      84.03%  主要系本期应付的赔偿款款项
  款                                                                          增加所致


一年内到    1,144.32    0.29%    29,782.94    7.21%    -96.16%  主要系本期偿还公司债及融资
期的非流                                                                      租赁所致

 动负债

其他流动    7,897.03    2.03%      6,982.67    1.69%      13.09%

  负债

流动负债  276,023.30  71.07%    342,897.08  83.01%    -19.50%

  合计

长期借款    67,902.85  17.48%    33,912.85    8.21%    100.23%  主要系本期将光大银行短期借
                                                                        款转为中长期借款所致

租赁负债    2,093.39    0.54%            -    0.00%              主要系本期执行新租赁准则所
                         
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